Recent Annual Filings for IRDM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,671,471,000 $830,682,000 $630,298,000 $97,140,000 $375,955,000 $-170,481,000 $21,656,000
2023 $2,661,775,000 $790,723,000 $709,095,000 $-2,241,000 $314,913,000 $-327,052,000 $-96,900,000
2022 $2,954,011,000 $721,034,000 $644,355,000 $67,337,000 $344,729,000 $-374,980,000 $-152,143,000
2021 $3,180,795,000 $614,500,000 $568,186,000 $809,000 $302,874,000 $-182,469,000 $83,735,000
2020 $3,360,949,000 $583,439,000 $547,956,000 $-66,367,000 $249,767,000 $-188,186,000 $13,617,000
2019 $3,623,557,000 $560,444,000 $550,324,000 $-160,069,000 $198,143,000 $-313,280,000 $-241,726,000
2018 $4,014,271,000 $523,008,000 $481,355,000 $-18,385,000 $263,709,000 $193,503,000 $77,030,000
2017 $3,782,051,000 $448,046,000 $346,759,000 $235,506,000 $259,621,000 $16,866,000 $-96,049,000